This blog is focused on SAP S/4 HANA House Bank Configuration.
In SAP ECC system each house bank of a company code is represented by a bank ID. The House bank is used for automatic payment program, check deposit, bank reconciliation. Thus you will only need to create a house bank for a bank account if you want to use the aforesaid functionality. For all this to be possible, the bank needs to be defined as a House in the SAP System
In SAP S/4HANA the bank account number for House bank can be maintained in Net weaver business Client.
The below mentioned steps are used to create the House Bank in SAP S/4 HANA.
Creation of Bank Key, House Bank Creations, NWBC, Assigning House bank and Account ID in respective GL Master records and Creation of Check lots.
During the implementation of S/4HANA OP1610, we encountered difficulties in the customizing of House bank.
For the Reference, Please follow the Configuration Guide
https://help.sap.com/doc/4eb62e3074894675aa75a1739e9f39ab/3.5/en-US/SFIN_CLM_CONFIG_GUIDE_305.pdf
In SPRO customizing options, the Performance Assistant, describes the use of Fiori Apps to configure banks in S/4HANA.
So, the error I got is mentioned below.
This scenario covers Creation Bank Master Record, Create House Bank, Net viewer Business Client,
1. Create Bank Key – FI01
- Click on

- Maintain the values as mentioned in the Below screen shot.
- Click on

2. Create House Bank
- Double Click on FI12_HBANK
- Click on

- Click on

3. Net viewer Business Client
Note: 1 This NWBC is confusing
2. In your web browser options, Uncheck Block Pop up window.
Go to Transaction Code – NWBC
1. Click on
Edit Bank Master Data
2. Click on
Bank Accounts
3. Click on
New Bank Account
4. Enter the bank details as per your business requirement
5. Click on
6. After saving, it’s looking in the Bank list as shown in below mentioned screen.
7. Click on the Account Number in
8. It’s going look like this as shown below
9. Click on
10. Click on
11. Click on
12. In House Bank Acct ID:
CA161 – Current Account for 1611
13. GL Account:
201000 - SBI Bank Main GL Account
14. Click on

, It’s going to update the Bank Accounts
4. Assign the House Bank & Account ID in the respective General Ledger Master Records
Here, In this illustration we are using three General Ledger Account master records.
1. SBI Bank Main Account - 201000
2. SBI Check – Out - 201050
3. SBI Check – In - 201060
5. Check Lot Creation Process - FCHI
Will see here how to Create Bank Check Lot Creation Process.
- Click on ‘Change ’

- Click on Create

- Hit Enter

- Click on
